Business solutions


UnaVista is suited to a wide variety of matching and reconciliation purposes. Examples include:

 multi-system reconciliation for any financial institution 
post-trade matching for broker dealers and investment managers 
pre- and post-settlement reconciliation for broker dealers, investment managers and custodians 
reference data management for financial institutions 
broker matching utility for prime brokers and broker dealers 
Policy systems recs for insurance companies 
Cash reconciliations for corporates, including retailers, utilities, professional practices and manufacturing shared service centres. 

Other business solutions include compliance solutions for banks wishing to consolidate trade data for the production of compliance reporting such as front running and insider trading.

Case studies

Over 20 global organisations have benefited from the use of UnaVista to deliver solutions across a wide variety of business areas. Please contact us to understand how UnaVista can provide a variety of customised solutions.

Case studies

ABN Ambro
London Stock Exchange